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2025-04-01-accounts

Continuing Community Care

Registered Charity No. 1204035

Trustees’ Annual Report

For the financial year 1 April 2024 – 31 March 2025 Reference: AR25-CIO-REM-11a-1204035-A

1. Reference and Administrative Information

Charity name: Continuing Community Care Charity number: 1204035 Legal form: Charitable Incorporated Organisation (CIO) Governing document: Constitution Registered address:

1 Coombe House, Coombe Road, Croydon, CR0 5RD

Trustees and officers:

There were no changes to the trustee board during the reporting period.

2. Structure, Governance and Management

Continuing Community Care is a Charitable Incorporated Organisation governed by its constitution. Trustees are responsible for strategic direction, compliance, financial oversight, and safeguarding the charity’s assets and reputation.

The board meets regularly and delegates operational delivery to the Executive Director, with financial oversight and policy compliance retained by the trustees. Conflicts of interest are declared and recorded in line with the constitution.

3. Objects and Public Benefit

Charitable Objects

The objects of the CIO are:

Public Benefit

Continuing Community Care exists to support people living with long-term physical and mental health conditions who struggle to access suitable rehabilitation services — particularly hydrotherapy — within Croydon and Greater London.

Croydon currently has no dedicated public hydrotherapy facility. This gap leaves individuals with chronic pain, neurological conditions, post-surgical recovery needs and mobility impairments without effective, accessible rehabilitation options.

CCC provides specialist warm-water therapy, aquarobics and 1:1 rehabilitation support to improve mobility, manage pain, reduce isolation, and enhance mental wellbeing. The charity’s work reduces reliance on acute services and empowers individuals to manage their conditions more independently.

4. Activities During the Year

Core services delivered

New services introduced

Services paused or stopped

Service Disruption and Operational Challenges (2024–2025)

During the 2024–2025 financial year, Continuing Community Care experienced two significant and unavoidable service disruptions related to the hydrotherapy pool facility we hire. Both incidents were outside the charity’s direct operational control but had a material impact on service delivery and on the wellbeing of our clients.

Legionella Contamination and Pool Closure

The hydrotherapy pool was closed for a period of approximately five weeks following the identification of Legionella bacteria within the pool system. In accordance with health and

safety regulations, the facility was immediately closed, fully drained, and subjected to multiple deep-cleaning and disinfection processes until it was confirmed safe for use.

This prolonged closure resulted in many clients being unable to access their regular hydrotherapy sessions for several weeks. For individuals living with long-term conditions, chronic pain, and mobility limitations, this interruption led to increased discomfort, stiffness, and reduced functional mobility. Trustees recognise the physical and emotional impact this had on clients and acknowledge the frustration and distress caused by the loss of a vital therapeutic service.

The Trustees monitored the situation closely and maintained communication with the facility operators to ensure that all remedial works were completed to the required safety standards before sessions resumed.

Plant Room Failure and Inappropriate Boiler Installation

Later in the year, the hydrotherapy pool was again closed for approximately three weeks due to a failure of the boiler located in the plant room. During investigation works, it was discovered that the boiler previously installed was a domestic-grade unit and was not suitable for the continuous demand of a hydrotherapy pool operating at therapeutic temperatures.

The issue was resolved through the installation of a new industrial-grade boiler, appropriately specified for hydrotherapy use. This replacement has significantly improved system reliability and resilience and is expected to reduce the risk of similar failures in the future.

Trustee Reflection

These incidents reinforced the Trustees’ concerns regarding reliance on ageing and externally managed facilities for critical therapeutic services. They have directly informed the charity’s long-term strategic objective to secure and develop a purpose-built, fully compliant hydrotherapy and rehabilitation centre, where Continuing Community Care can exercise full operational oversight, ensure higher standards of reliability, and safeguard continuity of care for clients.

Despite these challenges, the charity remained committed to supporting clients, communicating openly, and resuming services as safely and swiftly as possible once access was restored.

Scale of activity

5. Achievements and Impact

Key achievements

Impact evidence

Clients report improvements in:

Client feedback consistently highlights:

Selected anonymised case examples

6. Strategy and Future Plans

Long-term vision

CCC exists to establish Croydon’s first fully accessible rehabilitation centre, including a dedicated hydrotherapy pool, treatment rooms, wellness services and community support facilities.

Priorities for the coming year

Key challenges

7. Financial Review

Summary

Main income sources include hydrotherapy fees, donations, and fundraising activities. The largest cost area is pool hire, totalling approximately £24,550 per year.

The surplus was retained to strengthen reserves and support future capital development planning.

(Accounts source: Profit & Loss Statement 2024/25)

8. Risk Management

The trustees actively manage the following risks:

9. Safeguarding, Equality and Compliance

10. Significant Events and Context

During the year the charity withdrew from negotiations with Croydon Bowling & Sports Club over a potential land lease after professional valuation advice indicated the proposed lease cost was not financially viable.

Limited pool availability due to other commercial hirers continues to restrict session capacity and highlights the need for CCC’s own facility.

Declaration

The trustees confirm that this report has been prepared in accordance with the Charities Act 2011 and the CIO Regulations 2012.

Signed on behalf of the trustees:

Chair of Trustees

Date:

Profit & Loss

Continuing Community Care

Accounting Year 2024/25

Debit Credit
Turnover 69,064
Sales 11,853
Hydrotherapy Sessions 25,065
Donations and legacies S01 2,059
Charitable activities S02 23,116
Other trading activities S03 6,970
add Other Income 0
Interest Received 0
less Cost of Sales 20,237
Cost of Sales 4,217
Materials 21
Subcontractor Costs 15,999
Gross Profit 48,827
less Administration Expenses 30,449
Equipment 1,422
Raising funds S08 1,027
Charitable activities S09 596
Pool Hire 24,550
Computer Software 189
Computer Hardware 315
Office Equipment 79
Printing 374
Stationery 45
Miscellaneous 22
Auto Expenses 502
Advertising and Promotion 20
Legal and Professional Fees 240
Postage 25
Subscriptions 158

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Bank/Finance Charges 264
Insurance 624
Operating Profit £18,377
less Drawings £0
less Profit & Loss journal entries £0
Retained Profit this period: £18,377
Retained Profit brought forward: £5,034
Distributable Reserves / Retained Profit carried forward: £23,411

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Profit & Loss

Continuing Community Care

Accounting Year 2024/25

Debit Credit
Turnover 69,064
Sales 11,853
Hydrotherapy Sessions 25,065
Donations and legacies S01 2,059
Charitable activities S02 23,116
Other trading activities S03 6,970
add Other Income 0
Interest Received 0
less Cost of Sales 20,237
Cost of Sales 4,217
Materials 21
Subcontractor Costs 15,999
Gross Profit 48,827
less Administration Expenses 30,449
Equipment 1,422
Raising funds S08 1,027
Charitable activities S09 596
Pool Hire 24,550
Computer Software 189
Computer Hardware 315
Office Equipment 79
Printing 374
Stationery 45
Miscellaneous 22
Auto Expenses 502
Advertising and Promotion 20
Legal and Professional Fees 240
Postage 25
Subscriptions 158

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Bank/Finance Charges 264
Insurance 624
Operating Profit £18,377
less Drawings £0
less Profit & Loss journal entries £0
Retained Profit this period: £18,377
Retained Profit brought forward: £5,034
Distributable Reserves / Retained Profit carried forward: £23,411

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